Bridging the gap between academic research and practical investment management
The Quant Brief was founded with a simple yet ambitious goal: to democratize access to institutional-quality investment research for professional investors worldwide.
In an era where information asymmetry can make or break investment strategies, we believe that every portfolio manager, research analyst, and institutional investor deserves access to the same caliber of quantitative analysis that drives the world's most successful investment firms.
Our weekly newsletter distills complex market dynamics, academic research, and quantitative insights into actionable intelligence that busy professionals can digest in just 5 minutes.
We don't just report what happened in the markets, we help you understand why it happened, what it means for your portfolio, and how to position for what comes next.
The principles that guide every piece of analysis we publish
Every data point is verified, every analysis is rigorous, and every recommendation is backed by quantitative evidence.
We focus on insights that matter for today's markets, cutting through noise to deliver actionable intelligence.
Our analysis is unbiased, data-driven, and free from conflicts of interest that plague sell-side research.
We don't just share conclusions, we explain methodology so you can apply these frameworks yourself.
Complex quantitative concepts presented clearly, making sophisticated analysis accessible to all professionals.
Constantly exploring new methodologies, data sources, and analytical frameworks to stay ahead of the curve.
Experienced professionals from leading investment firms and academic institutions
Finance engineering student at École Centrale Méditerranée with hands-on research experience at Queen’s Business School. Reda has worked on systemic risk modeling, derivatives pricing, and quantitative portfolio optimization. He is passionate about making complex quant insights accessible and actionable for professionals.
The research behind The Quant Brief is led by Reda Salhi, supported by advanced AI agents for data collection, filtering, and preliminary analysis. This hybrid human–AI model enables deep dives into complex financial topics with both speed and rigor.
Only Substance: While other newsletters pad their content with market commentary, we focus exclusively on actionable insights that can improve your investment process.
Academic Rigor, Practical Application: We bridge the gap between academic research and real-world portfolio management, translating complex theories into implementable strategies.
Multi-Asset Perspective: Our analysis spans equities, fixed income, currencies, and commodities, providing a holistic view of market dynamics and cross-asset relationships.
Risk Approach: Every recommendation includes thorough risk analysis, helping you understand not just the potential returns, but the potential pitfalls.
Transparent Methodology: We show our work. Our models, assumptions, and data sources are clearly documented, allowing you to validate and adapt our frameworks.
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